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NASDAQ:IRMD

IRadimed Corporation

  • Stock

USD

Last Close

42.45

14/05 13:53

Market Cap

543.55M

Beta: 1.08

Volume Today

2.95K

Avg: 38.96K

PE Ratio

33.83

PFCF: 145.68

Dividend Yield

3.83%

Payout:157.92%

Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
1.94M
-
2.05M
5.86%
7.53M
267.25%
7.21M
4.19%
499.76K
93.07%
6.30M
1,161.29%
9.63M
52.79%
1.37M
85.79%
9.33M
581.19%
12.83M
37.56%
17.19M
34.02%
depreciation and amortization
139.04K
-
149.06K
7.20%
223.94K
50.24%
248.30K
10.88%
1.31M
427.08%
1.11M
15.57%
1.24M
12.43%
1.34M
7.77%
1.41M
5.08%
670.67K
52.33%
765.18K
14.09%
deferred income tax
-167.31K
-
-16.12K
90.37%
-570.91B
3,542,504,243.51%
-150.66K
100.00%
-144.43K
4.13%
-596.75K
313.18%
389.93K
165.34%
523.61K
34.28%
57.10K
89.10%
-1.17M
2,152.49%
stock based compensation
271.92K
-
724.06K
166.28%
1.22M
68.51%
1.84M
50.96%
2.45M
33.25%
1.76M
28.11%
1.85M
5.14%
3.96M
113.59%
1.46M
63.17%
1.39M
4.47%
2.19M
56.87%
change in working capital
-873.45K
-
-399.83K
54.22%
290.30K
172.60%
514.35K
77.18%
-1.12M
318.00%
-1.81M
61.25%
-1.97M
8.82%
-1.17M
40.42%
-1.58M
34.46%
-5.06M
220.80%
-5.91M
16.89%
accounts receivables
-396.59K
-
21.87K
105.51%
-1.91M
8,819.97%
75.30K
103.95%
-201.59K
367.73%
-446.90K
121.68%
-3.11M
596.95%
2.69M
186.38%
-575.54K
121.39%
-8.24M
1,331.81%
841.91K
110.22%
inventory
45.66K
-
-847.58K
1,956.48%
-308.41K
63.61%
-1.48M
380.97%
-334.11K
77.48%
-121.59K
63.61%
123.68K
201.72%
-282.90K
328.74%
-393.32K
39.03%
-1.31M
232.80%
-7.47M
470.54%
accounts payables
19.05K
-
201.69K
958.76%
376.29K
86.57%
1.11K
99.70%
-523.45K
47,130.46%
34.16K
106.53%
149.32K
337.10%
-403.57K
370.27%
30.41K
107.54%
1.12M
3,598.86%
-216.44K
119.24%
other working capital
-541.57K
-
224.18K
141.39%
2.13M
849.85%
1.92M
9.77%
-62.11K
103.23%
-1.27M
1,950.62%
874.20K
168.64%
-3.18M
463.33%
-637.72K
79.92%
3.37M
628.18%
932.43K
72.32%
other non cash items
229.37K
-
-1.60M
797.04%
570.91B
35,708,082.98%
424.97K
100.00%
155.66K
63.37%
68.69K
55.87%
-70.07K
202.01%
119.04K
269.89%
148.74K
24.94%
402.32K
170.49%
net cash provided by operating activities
1.47M
-
2.59M
75.37%
7.65M
195.83%
9.41M
22.97%
3.42M
63.68%
7.38M
115.93%
10.23M
38.73%
5.82M
43.15%
11.26M
93.52%
10.04M
10.80%
13.47M
34.08%
investments in property plant and equipment
-191.76K
-
-606.29K
216.17%
-314.84K
48.07%
-1.52M
384.15%
-824.76K
45.89%
-264.67K
67.91%
-485.81K
83.56%
-636.75K
31.07%
-741.76K
16.49%
-1.87M
152.78%
-8.01M
327.05%
acquisitions net
22.31K
-
743.49K
-
49.19K
93.38%
36.35K
26.10%
purchases of investments
-4.99K
-
-7.95M
159,376.47%
-4.99M
-
-2.69M
46.05%
-1.12M
58.25%
sales maturities of investments
255.11K
-
253.37K
0.68%
4.58M
1,705.71%
2.50M
45.47%
2.90M
16.43%
3.69M
26.92%
883.72K
76.03%
1.39M
57.29%
500K
64.03%
other investing activites
-22.31K
-
-743.49K
-
-49.19K
93.38%
-36.35K
26.10%
net cash used for investing activites
-196.75K
-
-8.30M
4,119.98%
-61.47K
99.26%
-1.94M
3,058.96%
-1.02M
47.29%
1.52M
248.10%
3.20M
111.18%
246.97K
92.29%
648.24K
162.48%
-1.37M
312.11%
-8.01M
482.34%
debt repayment
-513.40K
-
-6.33K
98.77%
-147.27K
-
common stock issued
14.49M
-
2.49M
-
1.73M
30.61%
623.24K
63.98%
146.71K
76.46%
176.74K
20.47%
common stock repurchased
-9.97M
-
-1.82M
81.76%
-473.14K
-
-1.21M
155.23%
-598.82K
50.41%
-293.98K
50.91%
dividends paid
-12.56M
-
-13.22M
5.29%
other financing activites
-1.77M
-
2.33M
231.11%
850.69K
63.43%
-81.77K
109.61%
929.87K
1,237.13%
-473.14K
150.88%
-1.21M
155.23%
147.27K
-
-610.35K
514.43%
net cash used provided by financing activities
-513.40K
-
12.71M
2,575.58%
2.33M
81.70%
-9.12M
492.02%
-1.90M
79.16%
929.87K
148.93%
2.02M
117.25%
522.48K
74.14%
24.43K
95.33%
-12.71M
52,122.11%
-13.66M
7.48%
effect of forex changes on cash
net change in cash
764.25K
-
6.99M
814.96%
9.91M
41.78%
-1.65M
116.69%
492.11K
129.75%
9.82M
1,895.86%
15.45M
57.35%
6.59M
57.38%
11.93M
81.13%
-4.04M
133.85%
-8.20M
103.00%
cash at beginning of period
1.70M
-
2.46M
45.03%
9.45M
284.07%
19.37M
104.86%
17.71M
8.54%
18.21M
2.78%
28.03M
53.95%
43.48M
55.14%
50.07M
15.15%
62.00M
23.83%
57.96M
6.51%
cash at end of period
2.46M
-
9.45M
284.07%
19.37M
104.86%
17.71M
8.54%
18.21M
2.78%
28.03M
53.95%
43.48M
55.14%
50.07M
15.15%
62.00M
23.83%
57.96M
6.51%
49.76M
14.15%
operating cash flow
1.47M
-
2.59M
75.37%
7.65M
195.83%
9.41M
22.97%
3.42M
63.68%
7.38M
115.93%
10.23M
38.73%
5.82M
43.15%
11.26M
93.52%
10.04M
10.80%
13.47M
34.08%
capital expenditure
-191.76K
-
-606.29K
216.17%
-314.84K
48.07%
-1.52M
384.15%
-824.76K
45.89%
-264.67K
67.91%
-485.81K
83.56%
-636.75K
31.07%
-741.76K
16.49%
-1.87M
152.78%
-8.01M
327.05%
free cash flow
1.28M
-
1.98M
54.33%
7.33M
270.54%
7.88M
7.47%
2.59M
67.13%
7.11M
174.45%
9.75M
37.06%
5.18M
46.85%
10.52M
102.99%
8.17M
22.33%
5.46M
33.18%

All numbers in USD (except ratios and percentages)